Goldman Eugene I
Open Hours:
Monday, 9:00 AM - 5:30 PM
Tuesday, 9:00 AM - 5:30 PM
Wednesday, 9:00 AM - 5:30 PM
Thursday, 9:00 AM - 5:30 PM
Friday, 9:00 AM - 5:30 PM
Saturday, Closed
Sunday, Closed
Introduce
In the complex and intensely scrutinized world of financial markets and corporate governance, businesses and individuals in Washington, D.C., often face formidable legal challenges. When confronted with investigations by the U.S. Securities and Exchange Commission (SEC), allegations of financial fraud, or complex white-collar criminal matters, having a seasoned attorney with deep regulatory insight and a proven track record is not merely advantageous—it's essential. Right here in the nation's capital, Eugene I. Goldman, a distinguished partner at the globally recognized McDermott Will & Emery, offers unparalleled expertise in these critical areas.
This article will provide a comprehensive overview of Eugene I. Goldman's practice, highlighting his strategic D.C. location within McDermott Will & Emery, the sophisticated range of services he provides, and the key features that distinguish him as a leading authority in securities enforcement defense and white-collar litigation. You'll discover why his extensive experience, including prior roles within the SEC and as a judicial law clerk, makes him an invaluable resource for navigating high-stakes financial and corporate legal challenges for the local D.C. community and international clients alike.
Eugene I. Goldman practices at the Washington, D.C. office of McDermott Will & Emery, located at 500 North Capitol St NW, Washington, DC 20001, USA. This address places the firm within "The McDermott Building," a prominent structure ideally situated in the burgeoning North Capitol Street corridor, just a block west of Union Station. This strategic location is at the nexus of D.C.'s legal, legislative, and business activities, offering superior advantages for clients.
The firm's office boasts exceptional accessibility for clients across the District of Columbia and the broader metropolitan area, primarily due to its proximity to major transportation hubs. It is just one block west of the Union Station Metro Stop (Red Line), providing direct and convenient access from numerous neighborhoods in D.C. and the surrounding suburbs in Maryland and Virginia. Union Station is also a major Amtrak and commuter rail hub, making it easily reachable for clients traveling from further afield.
Additionally, numerous Metrobus routes serve the North Capitol Street area, further enhancing public transportation options. For clients who prefer to drive, parking is available, albeit on a limited basis, within the building. The office is designed with an emphasis on natural light and an open feel, creating a contemporary and professional environment conducive to effective legal counsel. Upon arrival, clients are typically required to check in at the security desk with photo ID before proceeding to the ninth-floor reception area. This central and professional setting underscores McDermott Will & Emery's commitment to serving its diverse clientele with ease and discretion.
Eugene I. Goldman is a senior member of McDermott Will & Emery's esteemed White-Collar and Securities Defense Practice Group. With a career marked by significant roles in both the public and private sectors, he offers a highly specialized suite of legal services tailored to domestic and international clients facing complex financial and regulatory challenges. His core service areas include:
- SEC Enforcement Defense: Representing clients before the U.S. Securities and Exchange Commission (SEC) in a wide range of enforcement proceedings, including those involving:
- Financial Fraud
- Auditor Misconduct
- False Disclosure
- Insider Trading
- Sale of Unregistered Securities
- Undisclosed Self-Dealing and Underwriter Compensation
- Questionable Foreign Payments (FCPA)
- Internal Investigations: Advising audit committees and other corporate bodies in conducting internal investigations into allegations of misconduct, including cross-border Foreign Corrupt Practices Act (FCPA) investigations.
- Shareholder Litigation: Representing clients in litigation initiated by shareholders, often stemming from corporate governance or disclosure issues.
- FINRA and PCAOB Proceedings: Guiding clients through proceedings initiated by the Financial Industry Regulatory Authority (FINRA) and the Public Company Accounting Oversight Board (PCAOB), which regulate broker-dealers and auditors, respectively.
- Corporate Compliance and Regulatory Advice: Advising registered broker-dealers and investment advisers on compliance matters, change of control transactions, and other related regulatory issues. He assists companies in designing and implementing robust compliance programs.
- Accounting Defense: Representing CFOs, controllers, and other company executives in investigations related to revenue recognition, "cookie jar reserves," undisclosed perks, and other accounting irregularities.
- Cannabis Law: As part of McDermott's broader practice, Mr. Goldman contributes to advising clients in the cannabis sector, particularly concerning regulatory and compliance issues that intersect with securities law.
- Strategic Counsel and Advisory: Offering high-level strategic advice to clients to navigate complex legal landscapes, minimize risks, and achieve their business objectives within the bounds of securities and corporate law.
His comprehensive approach leverages deep knowledge of regulatory enforcement and an understanding of the business implications of legal challenges.
Eugene I. Goldman's practice is distinguished by an impressive array of features and highlights that underscore his standing as a preeminent legal authority in securities and white-collar defense:
- Distinguished SEC Background: A significant highlight is his tenure as Senior Counsel in the SEC's Division of Enforcement in Washington, D.C. This direct experience provides him with invaluable insider knowledge of how the SEC operates, conducts investigations, and prioritizes enforcement actions, offering a critical advantage to his clients.
- Judicial Clerkship Experience: He served as one of the first two law clerks for the Honorable Stanley Sporkin of the U.S. District Court for the District of Columbia. Judge Sporkin was previously the director of the SEC's Division of Enforcement, further enriching Mr. Goldman's understanding of securities law from both enforcement and judicial perspectives.
- Recognized Thought Leader and Author: Mr. Goldman is the lead author of the first book on the PCAOB, titled "The PCAOB Mission: Improving Audit Quality via Enforcement, Standards & Inspections." He also frequently publishes articles and provides insights on current developments in securities law, including topics like executive compensation clawbacks and insider trading. He has also testified before the Senate Banking Subcommittee on Securities.
- Consistent Industry Recognition: He has been consistently recognized in The Best Lawyers in America® for Securities Regulation and Securities Litigation from 2011 to 2025. He was also honored with a Lifetime Membership by the Association of Securities and Exchange Commission Alumni and recognized by Benchmark Litigation as a "Star" in 2009.
- Global Compliance Expertise: His experience includes conducting four "Anti-Corruption and Compliance" global training sessions for overseas auditors working on audits of SEC-registered companies, showcasing his expertise in international compliance.
- Proven Track Record of Success: His results include successfully navigating a hedge fund executive through an SEC investigation without charges, guiding clients to secure FINRA approval for change of broker-dealer control transactions, and defending senior executives in complex financial fraud cases.
- Commitment to Pro Bono: For seven years, he chaired the Pro Bono Committee of McDermott's Washington, D.C., office and continues to litigate disabilities rights cases, demonstrating his dedication to justice beyond his core practice.
- Active in Legal Education: He frequently serves as a moot court judge at competitions sponsored by Georgetown Law Center and Catholic University's Columbus School of Law.
For an attorney of Eugene I. Goldman's caliber and specialized focus on high-stakes securities enforcement defense and white-collar criminal matters, the concept of "promotions" or "special offers" in the traditional consumer sense is not applicable. His value proposition is deeply rooted in his extensive experience, profound regulatory insights, and the critical impact he can have on the most significant legal and reputational challenges faced by major corporations and prominent individuals.
Clients seeking his counsel are typically those confronting issues with substantial financial, regulatory, or criminal consequences. Therefore, the "offer" is primarily the access to his unique expertise, his proven track record in navigating complex federal investigations, and the strategic advantage his background (including his time at the SEC) provides.
Prospective clients interested in engaging Eugene I. Goldman's services would initiate contact directly with McDermott Will & Emery's D.C. office. During an initial consultation, which would involve an assessment of the situation's complexity, a discussion of potential legal strategies, and an outline of the firm's fee structure, the focus is on providing a comprehensive understanding of how his specialized services can address their unique and often sensitive legal challenges. This approach is standard for elite legal professionals handling highly specialized and complex matters, ensuring a tailored and strategic response to each client's specific circumstances.
If you or your organization in the District of Columbia requires elite legal counsel for complex securities enforcement defense, financial fraud, insider trading, or white-collar criminal matters, you can reach Eugene I. Goldman at McDermott Will & Emery's Washington, D.C. office using the following contact details:
- Address: McDermott Will & Emery, 500 North Capitol St NW, Washington, DC 20001, USA
- Phone: (202) 756-8000 (This is the main number for the DC office)
- Mobile Phone: +1 202-756-8000 (This appears to be the same main office number, which is common practice for large firms listing a single main contact for ease of access)
It is highly recommended to contact the firm's Washington, D.C. office directly via phone to discuss your specific needs and to arrange an initial consultation with Eugene I. Goldman or a member of his team. Given the sensitive and high-level nature of his practice, direct communication is essential to initiating engagement and ensuring you connect with the appropriate expertise.
For corporations, financial institutions, and high-net-worth individuals in the District of Columbia facing the intense scrutiny of federal regulatory bodies and the complexities of financial law, Eugene I. Goldman at McDermott Will & Emery presents an exceptionally suitable and indispensable legal resource. His profound expertise and strategic location make him a premier choice for locals navigating the highest stakes legal challenges.
Firstly, the firm's location at 500 North Capitol St NW, just a block from Union Station, offers unparalleled accessibility for clients throughout D.C. and beyond. This central position ensures convenient and discreet access to legal counsel, which is paramount when dealing with time-sensitive and highly confidential matters often involving federal agencies like the SEC, located right in the nation's capital.
Secondly, and most importantly, is Mr. Goldman's unique background. His tenure as Senior Counsel in the SEC's Division of Enforcement provides an invaluable "insider's" perspective on regulatory investigations and enforcement priorities. For D.C.-based entities, whether a financial firm undergoing an SEC examination, a corporate executive facing insider trading allegations, or an audit committee conducting an internal investigation, his ability to anticipate and strategically respond to government actions is a distinct advantage. This deep understanding, combined with his role as a leading author on the PCAOB and his consistent recognition by peers, places him at the forefront of securities defense law.
Furthermore, his proven track record of guiding clients through complex investigations, often resulting in favorable outcomes without charges, underscores his effectiveness. For any D.C. local or organization operating in a regulated industry, particularly finance and accounting, and seeking a highly experienced, strategically brilliant, and nationally recognized legal advocate for securities enforcement defense and white-collar matters, Eugene I. Goldman at McDermott Will & Emery is an unequivocally strong and essential choice.
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McDermitt Will & Emery, 500 North Capitol St NW, Washington, DC 20001, USA
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